Derivatives and risk management / Jayanth Rama Varma
Material type: TextPublication details: McGraw Hill New Delhi 2010Description: 396p. 24cmISBN:- 9780070604308 (pbk)
- 332.645 VAR
Item type | Current library | Collection | Call number | Status | Date due | Barcode | |
---|---|---|---|---|---|---|---|
Books | H.T. Parekh Library | GSB Collection | 332.645 VAR (Browse shelf(Opens below)) | In transit from H.T. Parekh Library to H.T. Parekh Library since 04/10/2024 | 40613 |
Indiana Books & Journals
This text takes a modern approach to the subject, discusses the traditional as well as emerging models,focuses on intuitive analysis but not at the expense of essential math, and gives a succinct appraisal of the derivatives environment in India and the world. The author takes Risk Neutral Valuation as the central theme of the book. As a future fund and investment manager, the MBA Finance student must have a good idea of the risks which his or her firm would be exposed to and how to use derivatives creatively and analytically to mitigate that risk.
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